Board Meeting Details

The Board of Directors meeting was held on August 1, 2026, commencing at 5:00 PM and concluding at 6:00 PM. The Audit Committee reviewed and the Board approved the financial results.

Financial Results Approved

1. Un-audited Standalone Financial Results for quarter ended June 30, 2026

2. Un-audited Consolidated Financial Results for quarter ended June 30, 2026

3. Taken note of Limited Review Reports from Statutory Auditors

Standalone Financial Performance (₹ in lakhs)

Quarterly Comparison

| Particulars | 30.06.2026 (Unaudited) | 31.03.2026 (Audited) | 30.06.2025 (Unaudited) | 31.03.2026 (Audited) |

| Revenue from operations | 75.44 | 15.00 | 35.09 | 197.49 |

| Other Income | 5.24 | 28.96 | 17.53 | 81.12 |

| Total Revenue | 80.68 | 43.96 | 52.62 | 278.61 |

| Employee benefits expense | 6.85 | 6.96 | 7.52 | 24.81 |

| Depreciation & amortization | 13.46 | 12.57 | 13.76 | 53.86 |

| Other Expenses | 38.77 | 66.84 | 31.72 | 164.24 |

| Total expenses | 59.08 | 86.37 | 53.00 | 242.91 |

| Profit before tax | 21.60 | -42.41 | -0.38 | 35.70 |

| Tax expense | -3.13 | 37.82 | -5.43 | 7.24 |

| Net Profit | 18.47 | -4.59 | -5.81 | 42.94 |

| EPS Basic (₹) | 0.09 | -0.02 | 0.00 | 0.21 |

| EPS Diluted (₹) | 0.09 | -0.02 | 0.00 | 0.21 |

Capital Structure (Standalone)

Paid-up equity share capital: ₹2014.57 lakhs (Face Value ₹10/- per share), consistent across all periods

Other Equity: ₹6095.90 lakhs (30.06.2026) vs ₹6077.44 lakhs (31.03.2026)

Consolidated Financial Performance (₹ in lakhs)

Quarterly Comparison

| Particulars | 30.06.2026 (Unaudited) | 31.03.2026 (Audited) | 30.06.2025 (Unaudited) | 31.03.2026 (Audited) |

| Revenue from operations | 332.00 | 213.78 | 276.34 | 1342.91 |

| Other Income | 74.82 | 93.59 | 29.33 | 223.55 |

| Total Revenue | 406.82 | 307.37 | 305.67 | 1566.46 |

| Employee benefits expense | 13.13 | 12.94 | 14.48 | 51.72 |

| Depreciation & amortization | 80.99 | 86.73 | 77.66 | 317.33 |

| Other Expenses | 198.51 | 221.04 | 127.77 | 534.74 |

| Total expenses | 292.63 | 323.47 | 219.91 | 917.64 |

| Profit before tax | 114.19 | -16.10 | 85.76 | 688.39 |

| Tax expense | -19.69 | 44.75 | -19.78 | -49.20 |

| Net Profit | 94.50 | 28.65 | 65.98 | 639.19 |

| EPS Basic (₹) | 0.47 | 0.14 | 0.33 | 3.17 |

| EPS Diluted (₹) | 0.47 | 0.14 | 0.33 | 3.17 |

Capital Structure (Consolidated)

Paid-up equity share capital: ₹2014.57 lakhs, consistent across all periods

Other Equity: ₹10927.59 lakhs (30.06.2026) vs ₹10833.09 lakhs (31.03.2026)

Segment Information (Standalone)

Quarter ended 30.06.2026

  • Pipes Division (Discontinued): Segment profit before tax ₹21.59 lakhs
  • Wind Power Division: Segment profit before tax ₹21.59 lakhs
  • Total Segment Profit before tax: ₹21.59 lakhs
  • Segment Assets: Pipes Division ₹7211.57 lakhs, Wind Power Division ₹1379.68 lakhs
  • Segment Liabilities: Pipes Division ₹480.78 lakhs

Segment Information (Consolidated)

Quarter ended 30.06.2026

  • Civil Contracts from Government: Segment profit before tax ₹30.13 lakhs
  • Pipes Division (Discontinued): Segment profit before tax ₹0.00 lakhs
  • Wind Power Division: Segment profit before tax ₹84.06 lakhs
  • Total Segment Profit before tax: ₹114.19 lakhs
  • Segment Assets: Civil Contracts ₹2154.81 lakhs, Pipes Division ₹7211.57 lakhs, Wind Power Division ₹4895.32 lakhs
  • Segment Liabilities: Civil Contracts ₹838.76 lakhs, Pipes Division ₹480.78 lakhs, Wind Power Division ₹1319.54 lakhs

Assets and Liabilities Position (Standalone)

As at 30.06.2026 (₹ in lakhs)

Total Assets: ₹8591.25 lakhs

  • Non-current assets: Property, Plant and Equipment ₹4244.56 lakhs, Investments ₹350.43 lakhs, Other financial assets ₹570.85 lakhs, Deferred tax assets ₹47.04 lakhs
  • Current assets: Investments ₹3111.33 lakhs, Trade Receivables ₹83.02 lakhs, Cash and cash equivalents ₹27.46 lakhs, Other current assets ₹156.56 lakhs

Total Equity and Liabilities: ₹8591.25 lakhs

  • Equity: Share capital ₹2014.57 lakhs, Other equity ₹6095.90 lakhs
  • Liabilities: Deferred tax liabilities ₹252.56 lakhs, Trade payable ₹47.85 lakhs, Other current liabilities ₹176.48 lakhs, Current tax liabilities ₹3.89 lakhs

Assets and Liabilities Position (Consolidated)

As at 30.06.2026 (₹ in lakhs)

Total Assets: ₹14261.70 lakhs

  • Non-current assets: Property, Plant and Equipment ₹7960.43 lakhs, Investments ₹0.44 lakhs, Other financial assets ₹47.04 lakhs
  • Current assets: Inventories ₹100.33 lakhs, Investments ₹4723.03 lakhs, Trade Receivables ₹549.77 lakhs, Cash and cash equivalents ₹213.41 lakhs, Other current assets ₹667.25 lakhs

Total Equity and Liabilities: ₹14261.70 lakhs

  • Equity: Share capital ₹2014.57 lakhs, Other equity ₹10927.59 lakhs
  • Liabilities: Borrowings ₹113.38 lakhs, Other financial liabilities ₹351.57 lakhs, Deferred tax liabilities ₹444.45 lakhs, Trade payable ₹51.31 lakhs, Other current liabilities ₹342.26 lakhs, Current tax liabilities ₹16.57 lakhs

Auditor Review

Statutory Auditors M/s. A.M. Reddy and D.R. Reddy, Chartered Accountants (FRN: 0090685) issued limited review reports for both standalone and consolidated financial results.

For consolidated results, the auditors noted they did not review the financial results of subsidiaries Sri KPR Infra & Projects Limited and Sri Pavan Energy Private Limited, whose financial results reflect total revenues of ₹23.26 lakhs and total net profit after tax of ₹0.76 lakhs for the quarter.

Based on their review, nothing has come to their attention that causes them to believe that the financial results contain any material misstatement or have not disclosed information required under Regulation 33 of SEBI Listing Regulations.